17. A summary and concluding comments Part II: Trading tactics
18. The tactical problem 19. The all-important details 20. The kind
of stocks we want: the speculator's viewpoint 21. Selection of
stocks to chart 22. Selection of stocks to chart: continued 23.
Choosing and managing high-risk stocks: tulip stocks, Internet
sector, and speculative frenzies 24. The probable moves of your
stocks 25. Two touchy questions 26. Round lots or odd lots? 27.
Stop orders 28. What is a Bottom and what is a Top? 29. Trendlines
in action 30. Use of Support and Resistance 31. Not all in one
basket 32. Measuring implications in technical chart patterns 33.
Tactical review of chart action 34. A quick summation of tactical
methods 35. Effect of technical trading on market action 36.
Automated trendline: the Moving Average 37. The same old patterns
38. Balanced and diversified 39. Trial and error 40. How much
capital to use in trading 41. Application of capital in practice
42. Portfolio risk management 43. Stick to your guns

About the Author

WHC Bassetti is the Editor and Coauthor of the classic reference,
Technical Analysis of Stock Trends, 10th Edition, first written by
Robert D. Edwards and John Magee in 1948. Mr. Bassetti traded as a
student and client of John Magee in the 1960s, beginning a long,
distinguished trading career encompassing virtually all of the
financial markets, stocks, bonds, options and futures. In 1972, as
a Principal and Vice President of California's first licensed
commodity trading advisor he pioneered computerized trading systems
and traded professionally for individual and institutional clients.
His company was one of the first to manage capital for Merrill
Lynch, Dean Witter et al and he and his partners created and
managed some of the first commodity mutual funds. In 1984 he was
appointed CEO of Options Research Inc., a company founded by Blair
Hull of Chicago's Hull Trading Company, formerly the largest market
maker on the floor of the CBOE. ORI was one of the first if not the
first, companies to computerize the analysis of options and
futures. Clients for analytical and portfolio services included
Morgan Stanley, First Boston, and Kidder Peabody et al. Mr.
Bassetti's organization managed options arbitrage capital compiling
a brilliant record during the market crash of 1987, and traded as a
market maker with a seat on the Pacific Stock Exchange. A graduate
of Harvard University and a former NASA systems engineer, Mr.
Bassetti is currently Distinguished Adjunct Professor of Finance
and Economics at Golden Gate University, San Francisco, Editor of
the John Magee Investment Series for St. Lucie Press and a
practicing technical analyst. In spite of his decades of work in
computerized trading systems, Mr. Bassetti's favorite analytical
tool remains a ruler, a tool he teaches graduate students and the
general public in his monthly 2-1/2 day seminars at Golden Gate
University.

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